R (on the application of Maguire) (Appellant) v His Majesty's Senior Coroner for Blackpool & Fylde and another (Respondents)

Case

[2023] UKSC 20

No judgment structure available for this case.

Trinity Term
[2023] UKSC 20
On appeal from: [2020] EWCA Civ 738

JUDGMENT

R (on the application of Maguire) (Appellant) v His Majesty’s Senior Coroner for Blackpool & Fylde and another (Respondents)

before

Lord Reed, President
Lord Lloyd-Jones
Lord Sales
Lord Stephens
Lady Rose

JUDGMENT GIVEN ON
21 June 2023

Heard on 22 and 23 November 2022

Appellant
Jenni Richards KC
Nicola Kohn
(Instructed by Bindmans LLP (London))

Respondent (His Majesty’s Senior Coroner for Blackpool & Fylde)
Jason Beer KC
Sophie Cartwright KC
(Instructed by Corporate Legal Services Blackpool Council)

Interested Party
Kenneth Maguire
(appearing in person)

First Intervener
Alex Ruck-Keene KC (Hon)

Jake Thorold

(Instructed by MIND)

Second Intervener

Paul Bowen KC

(Instructed by Equality and Human Rights Commission)

LORD SALES (with whom Lord Reed, Lord Lloyd-Jones and Lady Rose agree):

  1. This case is concerned with the conduct of an inquest into the death of Ms Jacqueline Maguire, aged 52, in hospital on 22 February 2017 from pneumonia and a perforated gastric ulcer and peritonitis and the impact upon this of article 2 of the European Convention on Human Rights (“the Convention”). Article 2 is a convention right set out in the Human Rights Act 1998 (“the HRA”). I will refer to Jacqueline Maguire as “Jackie”, as her family has requested.

  1. Article 2 provides, so far as is relevant, that “Everyone’s right to life shall be protected by law”. It is established law that this provision has a substantive aspect, governing the ways in which the state should act to protect life, and a procedural aspect, which imposes an obligation on the state to provide for investigation as to whether a death may have resulted from a breach of the substantive obligations imposed by article 2. The precise content of the substantive obligations and of the procedural obligation under article 2 varies depending on the circumstances of a particular case. In this appeal, both the substantive aspect and the procedural aspect of article 2 are in issue.

  1. Section 1 of the Coroners and Justice Act 2009 (“the 2009 Act”) provides that where a senior coroner has reason to suspect that a deceased person whose body is within their area died a violent or unnatural death, the cause of death is unknown or the deceased died while in custody or otherwise in state detention, the coroner must conduct an investigation into the person’s death. The respondent (“the Coroner”) decided that the investigation into Jackie’s death should take the form of an inquest conducted with a jury. The specific question which arises for determination in these proceedings is whether the circumstances surrounding the death of Jackie required the Coroner to request the jury at her inquest to return an expanded verdict in accordance with section 5(2) of the 2009 Act. Section 5 provides:

    1. The purpose of an investigation under this Part into a person’s death is to ascertain -

    1. who the deceased was;

    1. how, when and where the deceased came by his or her death;

    1. the particulars (if any) required by the 1953 Act [the Births and Deaths Registration Act 1953] to be registered concerning the death.

    1. Where necessary in order to avoid a breach of any Convention rights (within the meaning of the Human Rights Act 1998), the purpose mentioned in subsection (1)(b) is to be read as including the purpose of ascertaining in what circumstances the deceased came by his or her death.

    1. Neither the senior coroner conducting an investigation under this Part into a person's death nor the jury (if there is one) may express any opinion on any matter other than -

    1. the questions mentioned in subsection (1)(a) and (b) (read with subsection (2) where applicable);

    1. the particulars mentioned in subsection (1)(c).”

Section 10(2) of the 2009 Act provides that a determination under section 5 “may not be framed in such a way as to appear to determine any question of - (a) criminal liability on the part of a named person, or (b) civil liability”.

  1. The answer to the question arising as to the form of verdict to be delivered pursuant to section 5 depends upon the effect of article 2 in the circumstances of the inquest into Jackie’s death. If article 2 requires an expanded verdict to describe the circumstances in which Jackie came by her death, then section 5(2) comes into play and the usual limitations in section 5(1) regarding the form of verdict do not apply.

  1. The Coroner commenced the inquest into Jackie’s death on the basis that it was likely that article 2 would require an expanded verdict at its end, but recognising that in its course matters might be sufficiently ventilated and clarified so that article 2 would no longer require this. Jackie’s family were represented by counsel at the inquest, as were all the other interested persons. At the close of the evidence in the inquest hearing the Coroner invited submissions from the interested persons, including Jackie’s family, as to the form of verdict which the jury should be asked to return. In the light of those submissions, on 29 June 2018 the Coroner gave his decision that article 2 did not require an expanded verdict (“the verdict decision”). Therefore the jury was requested to give a short form verdict stating only the cause of Jackie’s death. Whether the verdict decision was correct in law is under challenge in these proceedings.

  1. This claim for judicial review of the verdict decision has been brought by Jackie’s mother, Mrs Muriel Maguire. Jackie’s brother, Mr Kenneth Maguire, has participated in the proceedings as an interested party.

  1. This judgment is structured as follows:

    1. An outline of the applicable legal framework for the inquest under article 2, including the substantive positive obligations under article 2 in the form of the systems duty and the operational duty and the different aspects of the implied procedural obligation under article 2, in order to explain the context for the verdict decision: paras 8-24;

    1. The 2009 Act and the requirement for an expanded verdict: paras 25-33;

    1. Development of the substantive positive obligations under article 2 by the European Court of Human Rights (“the Strasbourg Court”) in the cases of Osman, Powell and Calvelli: paras 34-39;

    1. The leading Strasbourg cases of Fernandes and Oliveira on the substantive positive obligations under article 2 in the field of healthcare and care of vulnerable people: paras 40-62;

    1. The facts of this case: paras 63-114;

    1. The judicial review proceedings in the Divisional Court and the Court of Appeal: paras 115-134;

    1. Discussion of the issues in the appeal (paras 135 and following): (a) was there an arguable breach of the systems duty on the part of the care home, so as to trigger the enhanced procedural obligation under article 2 (paras 144-181)? (b) was there an arguable breach of the systems duty on the part of any of the healthcare providers so as to trigger that obligation (para 182-184)? (c) was there an arguable breach of the operational duty on the part of the care home so as to trigger that obligation (paras 185-204)? and (d) was there an arguable breach of the operational duty on the part of any of the healthcare providers, so as to trigger that obligation (paras 205-209)?

    1. The effect on the appellant’s case of general reports (the LDM Review and the CIPOLD report) on health outcomes for individuals with learning difficulties and lack of capacity: para 210; and

    1. The Ullah principle: para 211.

      The overall conclusion is given at para 212.

  1. Article 2: outline of the applicable legal framework

  1. At the outset it is helpful to set out an outline of the applicable legal framework within which the inquest took place, because it sets the scene to explain the decisions taken by the Coroner, culminating in the verdict decision. I will analyse the position in more detail later on.

  1. In addition to prohibiting certain conduct, article 2 imposes a positiveobligation on contracting states to take “appropriate steps to safeguard the lives of those within [their] jurisdiction”, as the Strasbourg Court put it in LCB v United Kingdom (1998) 27 EHRR 212 (“LCB”), at para 36. This is a very general statement and the various aspects and specific content of this positive obligation have been clarified in a substantial body of case-law both in Strasbourg and domestically.

  1. It has been held that article 2 imposes certain substantive positive obligations on a state to take steps to protect life. These are typically analysed as being of two types, an obligation to have appropriate legal regimes and administrative systems in place to provide general protection for the lives of citizens and persons in its territory (“the systems duty”) and an obligation to take operational steps to protect a specific person or persons when on notice that they are subject to a risk to life of a particularly clear and pressing kind (“the operational duty”).

  1. The distinction between these two types of substantive positive obligation has been emphasised at the highest level in the domestic case-law and the Strasbourg case-law: Savage v South Essex Partnership NHS Trust [2009] AC 681 (“Savage”), paras 18-24, 40-42 and 67-72 (Lord Rodger of Earlsferry) and paras 77-79 (Baroness Hale of Richmond); Rabone v Pennine Care NHS Trust [2012] 2 AC 72 (“Rabone”), para 12 (Lord Dyson) and paras 93-94 (Baroness Hale); Lopes de Sousa Fernandes v Portugal (2017) 66 EHRR 28 (“Fernandes”), GC, paras 166-167 and 191-192; and Fernandes de Oliveira v Portugal (2019) 69 EHRR 8 (“Oliveira”), GC, para 103. As it was put in Oliveira, these are “distinct albeit related positive obligations under article 2”. The operational duty derives, in particular, from the judgment of the Strasbourg Court in Osman v United Kingdom (1998) 29 EHRR 245 (“Osman”).

  1. In addition, article 2 imposes certain positive obligations of a procedural nature regarding investigation of and the opportunity to call state authorities to account for potential breaches of the substantive obligations to which it gives rise. The precise content of the procedural obligation on a state varies according to the context in which an issue regarding the application of article 2 arises. There is no simple monolithic form of procedural obligation which applies in every such case. Rather, the procedural obligation applies in a graduated way depending on the circumstances of the case and the way in which in a particular context the state may be called upon to provide due accountability in relation to the steps taken to protect the right to life under article 2. The graduated way in which the procedural obligation applies reflects the fact that this obligation, like the substantive positive obligations under article 2, is an implied positive duty which is not to be taken to impose an unreasonable or disproportionate burden upon the state.

  1. For the account which follows, I have derived assistance from the meticulous judgment of Popplewell LJ in R (Morahan) v West London Assistant Coroner [2021] EWHC 1603 (Admin); [2021] QB 1205 (“Morahan”); on appeal, the decision was upheld in a short judgment which approved the reasons given by Popplewell LJ: [2022] EWCA Civ 1410; [2023] 2 WLR 497, paras 41-42. Morahan contains a detailed review of the relevant case-law and what I consider to be a compelling analysis of the law in this area. Counsel for the appellant, Ms Jenni Richards KC (who did not appear below) began her oral submissions by referring to Morahan as part of the relevant framework to locate the submissions she was to makeand did not seek to criticise Popplewell LJ’s judgment. Mr Jason Beer KC, for the Coroner, also referred to it. I have found it particularly helpful to be able to refer to Morahan in the circumstances of this appeal, in which the court has been hampered by the absence of adversarial argument from the Coroner or any other interested party, for reasons explained below. Morahan came after the judgment of the Court of Appeal in the present case, to which Popplewell LJ referred. However, his reasoning is predominantly based on an analysis of previous domestic decisions at the highest level and relevant Strasbourg case-law.

  1. For present purposes three different levels of the graduated procedural obligation may be identified in relation to investigation of a death. First, at the most basic level, in order to check whether there might be any question of a potential breach of a person’s right to life under article 2, state authorities should take some steps to establish whether the cause of death is from natural causes rather than, say, as a result of criminal means such as violence or other foul play (“the basic procedural obligation”). If a dead body were found in the street, just as much as if a prisoner in custody dies, a state would need to check the cause of death to see whether steps might have to be taken to apply the relevant criminal or other law which is in place as part of the system to provide protection for life, or whether the framework in place to protect life is deficient: Morahan, paras 92 and 122(1). As explained in Morahan, para 92, the basic procedural obligation arises immediately upon death and will inform whether other procedural obligations come into play.

  1. Secondly, in particular contexts, a state may be required to take the initiative to take further steps to investigate possible breaches of the substantive obligations imposed by article 2 with a view to ensuring appropriate accountability and redress and, as appropriate, with a view to punishing persons responsible for the death (“the enhanced procedural obligation”). The enhanced procedural obligation applies where there is a particularly compelling reason why the state should be required to give an account of how a person came by their death.

  1. This includes cases where state agents have used lethal force (eg McCann v United Kingdom (1995) 21 EHRR 97); where a person has died in prison other than from natural causes, such as by reason of violence by a fellow prisoner (eg Edwards v United Kingdom (2002) 35 EHRR 487 - “Edwards”; R (Amin) v Secretary of State for the Home Department [2004] 1 AC 653 - “Amin”); or where a person in detention dies as a result of suicide, where there is an arguable case that this occurred as a result of a culpable failure of state authorities to protect against this possibility (R (Middleton) v West Somerset Coroner [2004] 2 AC 182 - “Middleton”). This latter category of case has been extended to a situation where a military conscript committed suicide with a weapon supplied to him: Kilinĉ v Turkey, judgment of 7 June 2005, and Ataman v Turkey, judgment of 27 April 2006.

  1. As pointed out in Morahan, paras 97-98, 100-104, 111-114 and 122(5)-(7), these are categories of case where the application of the enhanced procedural obligation is automatic, because of the importance attached to the need for the state in these contexts to provide full accountability in relation to the death. As Popplewell LJ explains (para 100), “[t]he procedural duty arises in the case of suspicious deaths in custody, not deaths from natural causes; and it does so automatically because all such deaths raise a sufficient possibility of state responsibility to require the enhanced investigation: suspicious deaths in custody are simply a category of case in which it is sufficiently arguable, in every case and without more, that there has been a breach by the state of one of its substantive article 2 obligations.” Morahan itself was concerned with an inquest in respect of the death of an inpatient at a community-based open rehabilitation unit operated by an NHS trust, who left the unit with her clinicians’ agreement, failed to return, and died a few days later from an overdose of recreational drugs; it was held that, in the circumstances, the enhanced procedural obligation did not apply.

  1. Whether the Coroner was required to direct the jury to give an expanded form of verdict depends on whether the enhanced procedural obligation under article 2 applied in Jackie’s case. Ms Richards made it clear that she did not contend that the present case is one in which an enhanced procedural obligation arose automatically. Instead, she submitted that this was a case where that procedural obligation arose because there was an arguable breach of either the systems duty or the operational duty in the particular circumstances of Jackie’s case, having regard to the facts that she was deprived of her liberty, was vulnerable because of her difficulties in communicating and lack of mental capacity to make judgments about her own health, and was in the care of the state at the care home at Lytham St Anne’s where she resided at the time of her death (“the care home”), which had assumed responsibility to keep her secure and safe and to ensure she had timely access to healthcare services.

  1. Thirdly, in certain other cases where a relevant compelling reason is not present as the foundation for an enhanced procedural obligation, but there is still a possibility that the substantive obligations in article 2 have been breached, there is an obligation to provide means by which a person complaining of such possible breaches may ventilate that complaint, have it investigated and obtain redress (“the redress procedural obligation”). This form of procedural obligation has typically been applied in cases involving possible breaches of article 2 in the context of provision of medical services, where it is alleged there has been negligence by medical practitioners (see Calvelli and Ciglio v Italy, GC, judgment of 17 January 2002 – “Calvelli”); it has also been applied in certain other cases where a risk to life has been said to have arisen by other forms of negligent action by state authorities (eg Mastromatteo v Italy, GC, judgment of 24 October 2002). As the Strasbourg Court said in the Mastromatteo judgment, at para 90: “The form of investigation may vary according to the circumstances. In the sphere of negligence, a civil or disciplinary remedy may suffice”.

  1. In accordance with this Strasbourg case-law, a substantial body of domestic case-law has held that in relation to cases of arguable medical negligence in an NHS hospital, the enhanced procedural obligation does not apply and the state’s procedural obligation (in the form of the basic procedural obligation and the redress procedural obligation) is satisfied by a combination of the holding of an inquest to determine the cause of death, without any requirement of an expanded verdict, and the availability of a civil claim for damages for negligence: see eg R (Goodson) v Bedfordshire and Luton Coroner [2006] 1 WLR 432; R (Takoushis) v Inner North London Coroner[2005] EWCA Civ 1440; [2006] 1 WLR 461, paras 105-107 (“Takoushis”); R (Humberstone) v Legal Services Commission[2010] EWCA Civ 1479; [2011] 1 WLR 1460 (“Humberstone”), paras 55-67; R (Parkinson) v Kent Senior Coroner [2018] EWHC 1501 (Admin); [2018] 4 WLR 106 (“Parkinson”); and see the discussion in Morahan.

  1. As was emphasised in Humberstone, paras 71-72, and in Parkinson, para 91, instances of individual negligence should not be treated as indicating a breach of the systems duty, and it will be the coroner, as the decision-maker who examines the facts in detail, hears the evidence and has to decide what form of verdict should be given at an inquest, who is best placed and has the primary responsibility to decide whether an arguable breach of either duty has been established.

  1. The courts have been cautious about implying extensive positive obligations in the application of article 2 in the field of provision of medical services. Fernandes and Oliveira are the leading recent Strasbourg authorities, discussed below. However, as a further aspect of the substantive positive obligation under article 2, the Strasbourg Court has said that “an issue may arise under article 2 where it is shown that the authorities of a contracting state have put an individual’s life at risk through the denial of the health care which they have undertaken to make available to the population generally”: Fernandes, para 173; Şentürk v Turkey (2013) 60 EHRR 4 (“Şentürk”), para 88. This can be seen as a dimension of the operational duty, as it calls for positive action to be taken in the light of the specific circumstances of the individual concerned, albeit it is identified separately in Fernandes and the criteria for its application are stated in different terms from those which apply in relation to the more specific operational duty derived from the Osman judgment. It is, therefore, necessary to examine whether in the present case there was an arguable failure to comply with this aspect of the substantive positive obligations under article 2 such as would have required the Coroner to direct the jury to give an expanded verdict at the conclusion of Jackie’s inquest. This aspect of the substantive obligations under article 2 is of particular relevance for the position of the care home.

  1. This appeal raises issues about the boundary between the systems duty and the operational duty and the content of both of them. It also raises issues about the boundary between the enhanced procedural obligation, on the one hand, and the basic procedural obligation and the redress procedural obligation on the other.

  1. In order to succeed, the appellant has to establish that at the time the Coroner made the verdict decision on 29 June 2018 the enhanced procedural obligation applied so that an expanded verdict was required in accordance with the analysis in Middleton. The appellant says that the enhanced procedural obligation applied in the particular circumstances of the case because Jackie was a vulnerable person who was detained and in the care of the state and there was an arguable case that there had been a breach of either the systems duty or the operational duty on the part of the care home or the various medical practitioners involved with provision of care to her, in particular on the evening of 21 February 2017.

  1. The 2009 Act and the requirement for an expanded verdict at an inquest

  1. An inquest is one way in which the state may satisfy the enhanced procedural obligation under article 2: see Morahan, paras 68-71. According to established interpretation of the relevant coronial legislation prior to the coming into force of the HRA, the verdict to be given at the conclusion of an inquest was confined to saying how, in the sense of “by what means”, the deceased came to die: R v HM Coroner for North Humberside and Scunthorpe, ex p Jamieson [1995] QB 1 (“Jamieson”). After the coming into force of the HRA in 2000 the question arose whether the article 2 procedural obligation, when it applied in its enhanced form, required an adjustment in relation to the product of an inquest, as regards the way in which the coroner or jury expressed their conclusions. In Middleton it was held that it did. Lord Bingham of Cornhill explained (para 3) that there was

    “a procedural obligation to initiate an effective public investigation by an independent official body into any death occurring in circumstances in which it appears that one or other of the … substantive obligations has been, or may have been, violated and it appears that agents of the state are, or may be, in some way implicated.”

  1. Lord Bingham identified three questions for consideration (para 4):

    1. What, if anything, does the Convention require (by way of verdict, judgment, findings or recommendations) of a properly conducted official investigation into a death involving, or possibly involving, a violation of article 2?

    1. Does the regime for holding inquests established by the Coroners Act 1988 and the Coroners Rules 1984, as hitherto understood and followed in England and Wales, meet those requirements of the Convention?

    1. If not, can the current regime governing the conduct of inquests in England and Wales be revised so as to do so, and if so how?"

  1. At the heart of the disputed factual issues in Middleton was the question whether the risk of suicide was properly appreciated and guarded against by the prison authorities. There was no doubt that the circumstances gave rise to the possibility that the substantive duty under article 2 to protect the prisoner's life had been violated. Lord Bingham answered question 1 by holding (para 20) that to meet the procedural obligation “an inquest ought ordinarily to culminate in an expression, however brief, of the jury's conclusion on the disputed factual issues at the heart of the case.” As to question 2, Lord Bingham concluded that there were cases in which the procedural obligation (in its enhanced form) applied where inquests as then conducted did not enable that to happen. The question now found in section 5(1) of the 2009 Act (as to how the deceased came by his death) reproduces the language of section 11(5)(b)(ii) of the Coroners Act 1988, with which Middleton was concerned. Lord Bingham explained that the enhanced procedural obligation might be discharged by criminal proceedings in some cases (para 30) and in others by the traditional short form verdict according to the interpretation in Jamieson, but the narrow Jamieson approach to the interpretation of the word “how” would not meet the requirements of article 2 in many cases: para 31.

  1. In answer to question 3, the House of Lords decided that the change needed to satisfy the procedural obligation under article 2 was that the word “how” in section 11(5)(b)(ii) of the Coroners Act 1988 should be interpreted to mean “not simply ‘by what means’ but ‘by what means and in what circumstances’”: para 35. On the facts in Middleton a conclusion such as “the deceased took his own life, in part because the risk of his doing so was not recognised and appropriate precautions were not taken to prevent him doing so” would meet the article 2 procedural obligation as to outcome (paras 37 and 41). Lord Bingham emphasised (also at para 37) the importance of the principle that the conclusion should not breach the statutory prohibition against appearing to determine criminal liability on the part of a named person or appearing to determine civil liability; the proposed interpretation embodied “a judgmental conclusion of a factual nature, directly relating to the circumstances of the death. It does not identify any individual nor does it address any issue of criminal or civil liability. It does not therefore infringe [the statutory prohibition].”

  1. Section 5(2) of the 2009 Act included additional text to put the decision in Middleton on an express statutory footing. Section 10 preserved the prohibitions of the earlier statutory scheme against appearing to determine criminal liability of a named person and civil liability. It remains no part of the function of an inquest to determine civil liability, including whether there has been a breach of a substantive duty imposed by article 2, or to appear to do so.

  1. Nonetheless, by reason of the interaction of the substantive obligations under article 2 and the enhanced procedural obligation, a ruling that the enhanced procedural obligation arises in a particular case may often imply a judgment that the substantive obligations are engaged and that one or other of them has arguably been breached. Therefore, the issue in this appeal has implications beyond simply the form of the verdict which the jury was asked to give in this case. Where a public authority such as an NHS trust breaches the substantive positive obligations inherent in article 2 it may be sued for compensation for breach of its duty under the HRA to act compatibly with that Convention right: Savage, para 72 (Lord Rodger).

  1. The question whether an enhanced procedural obligation under article 2 is engaged in a relevant way in relation to an inquest has additional consequences in practice. Where it appears that an expanded verdict may be required, because it is thought the enhanced procedural obligation is applicable, legal aid will be available to assist with the involvement of the deceased’s family by the provision of legal representation. This was the issue which arose in Humberstone.

  1. Also, a coroner will have to keep the implications of the article 2 procedural obligation in mind throughout the course of the inquest, to ensure that the examination of the circumstances of the death is sufficient to satisfy that obligation in the particular context. A coroner’s assessment of this might alter during the course of an inquest, as more information comes to light as a result of his or her inquiries. The ambit of the investigation might have to be expanded, if information gathered by the coroner suggests that a simple case appearing to involve no relevant state involvement is in fact more complicated and gives rise to an arguable breach of article 2, with the consequence that the enhanced form of the procedural obligation applies and there is a requirement for an expanded form of verdict. On the other hand, information gathered before the start of an inquest (see, eg, Morahan, para 71) or in the course of it may eliminate areas of uncertainty and show that there is no arguable breach of article 2 such as to require an expanded form of verdict. This occurred, for example, in Tyrrell v HM Senior Coroner County Durham and Darlington [2016] EWHC 1892 (Admin); 153 BMLR 208 (“Tyrrell”), discussed below.

  1. In the Coroner’s assessment, that is what happened in this case. The inquest hearing commenced as a full article 2 inquest, meaning an inquest where it appeared the enhanced procedural obligation applied so that an expanded verdict would be required at the end of it in accordance with the analysis in Middleton. But after receiving the evidence and hearing submissions from the interested persons the Coroner’s judgment in the verdict decision was that, as things had transpired, only a conventional Jamieson-style verdict was required or permitted.

  1. Development of the substantive positive obligations under article 2: Osman, Powell and Calvelli

  1. The Strasbourg Court has examined the nature and extent of the implied substantive positive obligations under article 2 in an incremental manner. Through these cases the distinction between the systems duty and the operational duty has come to be articulated and the content of each of them has been specified more clearly.

  1. The Osman judgment in 1998 was an influential decision at an early stage of this development. Itconcerned a threat to the life of a father and son posed by a third person, Mr Paget-Lewis, a teacher at the son’s school, who wished them harm and succeeded in killing the father and wounding the son. The Strasbourg Court referred to both the systems duty and the operational duty at paras 115-116. At para 115 the court noted that under article 2 the state has a positive obligation “to take appropriate steps to safeguard the lives of those within its jurisdiction” which includes a primary duty to secure the right to life by putting in place effective criminal law provisions backed up by appropriate law-enforcement machinery but also extends to include “in certain well-defined circumstances a positive obligation on the authorities to take preventive operational measures to protect an individual whose life is at risk from the criminal acts of another individual.” At para 116 it said:

    “ … bearing in mind the difficulties involved in policing modern societies, the unpredictability of human conduct and the operational choices which must be made in terms of priorities and resources, such an obligation must be interpreted in a way which does not impose an impossible or disproportionate burden on the authorities. Accordingly, not every claimed risk to life can entail for the authorities a Convention requirement to take operational measures to prevent that risk from materialising. Another relevant consideration is the need to ensure that the police exercise their powers to control and prevent crime in a manner which fully respects the due process and other guarantees which legitimately place restraints on the scope of their action to investigate crime and bring offenders to justice, including the guarantees contained in articles 5 [right to liberty and security of the person] and 8 [right to respect for private life] of the Convention. In the opinion of the court where there is an allegation that the authorities have violated their positive obligation to protect the right to life in the context of their above-mentioned duty to prevent and suppress offences against the person, it must be established to its satisfaction that the authorities knew or ought to have known at the time of the existence of a real and immediate risk to the life of an identified individual or individuals from the criminal acts of a third party and that they failed to take measures within the scope of their powers which, judged reasonably, might have been expected to avoid that risk. … having regard to the nature of the right protected by article 2, a right fundamental in the scheme of the Convention, it is sufficient for an applicant to show that the authorities did not do all that could be reasonably expected of them to avoid a real and immediate risk to life of which they have or ought to have knowledge. …”

On the facts of that case, no breach was established of the systems duty or the operational duty. That was so where the police had not arrested Mr Paget-Lewis and prevented his lethal attack even though he had been behaving in an increasingly bizarre and worrying way in relation to the son, including being suspected of targeting his family in the commission of acts of criminal damage.

  1. In its influential admissibility decision in Powell v United Kingdom (2000) 30 EHRR CD362(“Powell”) the Strasbourg Court addressed the applicability of the Osman guidance in the context of a complaint brought by parents about alleged medical negligence resulting in the death of their son. It was established that he died of natural causes, the allegation being that this could have been prevented if the doctors had taken effective action at an earlier stage. The court referred, at p CD364, to LCB, para 36, and said:

    “The court accepts that it cannot be excluded that the acts and omissions of the authorities in the field of health care policy may in certain circumstances engage their responsibility under the positive limb of article 2. However, where a contracting state had made adequate provision for securing high professional standards among health professionals and the protection of the lives of patients, it cannot accept that matters such as error of judgment on the part of a health professional or negligent co-ordination among health professionals in the treatment of a particular patient are sufficient of themselves to call a contracting state to account from the standpoint of its positive obligations under article 2 of the Convention to protect life. Inthe court’s opinion, the events leading to the tragic death of the applicants’ son and the responsibility of the health professionals involved are matters which must be addressed from the angle of the adequacy of the mechanisms in place for shedding light on the course of those events, allowing the facts of the case to be exposed to public scrutiny - not least for the benefit of the applicants.”

The Court attached significance to the fact that the parents had settled their civil action in negligence against the responsible health authority and did not pursue individual claims against the doctors, regarding, at p CD365, such a civil claim as a “crucially important avenue for shedding light on the extent of the doctors’ responsibility for their son’s death”. As a result, it was not open to the parents to complain under article 2 that there was no effective investigation into their son’s death.

  1. In Calvelli in 2002, which also involved allegations of death occurring as a consequence of medical negligence, the Grand Chamber again referred (para 48) to LCB, para 36. In that regard, in a reference to the systems duty, the Court said (para 49, omitting references):

    “Those principles apply in the public-health sphere too. The aforementioned positive obligations therefore require States to make regulations compelling hospitals, whether public or private, to adopt appropriate measures for the protection of their patients’ lives. They also require an effective independent judicial system to be set up so that the cause of death of patients in the care of the medical profession, whether in the public or the private sector, can be determined and those responsible made accountable …”

The Court therefore considered (para 50) that article 2 was applicable in such a case, but had to determine what judicial response was required in the particular circumstances under the procedural obligation in article 2. It concluded that it was the redress procedural obligation which applied, not the enhanced procedural obligation: paras 51-57. The family of the deceased was able to bring civil proceedings alleging negligence (which is what they did, even though they settled the claim) and, following Powell, this was sufficient to lead the court to conclude that there was no violation of article 2.

  1. In Vo v France (2004) 40 EHRR 12, at paras 88-89, the Grand Chamber repeated the analysis in Powell and Calvelli. In line with this body of authority, in Fernandes the Grand Chamber observed that in a case of alleged medical negligence resulting in a death, a civil action claiming compensation is “the most appropriate avenue for establishing any alleged causal link [between the alleged negligence and the death] and for shedding light on the extent of the doctors’ alleged responsibility for [the] death”: paras 138 and 235.

  1. Case-law subsequent to Powell and Calvelli has explored the ambit of this approach to the procedural aspect of article 2. There is a tension in the Strasbourg case-law between whether the requirement to have effective means of redress available in medical negligence cases is an aspect of the substantive systems duty, as Powell and Calvelli tend to suggest (and see Oliveira, para 105), or is treated as an aspect of the procedural obligation under article 2. The tension was noted and discussed in Takoushis,at paras 84-106, and has been addressed in a number of other domestic cases, including Amin, Middleton and the cases which followed them, as reviewed in Morahan: see, in particular, paras 72-79, 81-82, 91-92 and 98-99. In recent Strasbourg case-law, it is said that questions of the appropriate manner required under article 2 to examine factual issues relating to alleged medical negligence are usually reviewed under its procedural limb: Fernandes, paras 172 and 199; Dumpe v Latvia, decision of 16 October 2018 (“Dumpe”), paras 58-59. It may be that the systems duty and the procedural obligation overlap at this point. However, for present purposes nothing turns on this and it is not necessary to give further consideration to it.

  1. Fernandes and Oliveira

  1. The Fernandes case in 2017 concerned the death of the applicant’s husband from septicaemia after a series of medical treatments in hospital in which, it was alleged, his health problems were not properly diagnosed and addressed. It was alleged that there had been a failure of coordination between different departments in the hospital. The Fourth Section of the Strasbourg Court found that there was a violation of the substantive aspect of article 2, but there was a strong dissenting opinion to the effect that it was wrong in principle for the court to micromanage medical care and to treat alleged cases of medical negligence as involving substantive violations of article 2, so the Grand Chamber reviewed the position. It reversed the decision of the Fourth Section on this point. The Grand Chamber took the opportunity to reaffirm and clarify the scope of the substantive positive obligations of states in relation to allegations of negligence occurring in the context of provision of medical treatment by surveying a large number of authorities: paras 162-205.

  1. However, at para 163 the court said:

    “The court would emphasise at the outset that different considerations arise in certain other contexts, in particular with regard to the medical treatment of persons deprived of their liberty or of particularly vulnerable persons under the care of the state, where the state has direct responsibility for the welfare of these individuals [footnote reference to Slimani v France (2004) 43 EHRR 49, a death in custody case, and Centre for Legal Resources on behalf of Câmpeanu v Romania (2014) 37 BHRC 423 (“Centre for Legal Resources”), paras 143-144, discussed below]. Such circumstances are not in issue in the present case.”

The effect of this reservation is in question on this appeal. Ms Richards submits that it means that the judgment in Fernandes does not provide guidance as to the proper approach under article 2 in the present case and that the Court of Appeal erred by treating it as relevant.

  1. As regards the systems duty, the court noted in Fernandes (para 169) that in cases concerning medical negligence it had rarely found deficiencies in the regulatory framework of states as such. At para 168 the court said (omitting footnote):

    “In cases where allegations of medical negligence were made in the context of the treatment of a patient, the court has consistently emphasised that, where a contracting state has made adequate provision for securing high professional standards among health professionals and the protection of the lives of patients, matters such as an error of judgment on the part of a health professional or negligent coordination among health professionals in the treatment of a particular patient are not sufficient of themselves to call a contracting state to account from the standpoint of its positive obligations under article 2 of the Convention to protect life.”

  1. At paras 173-176 the court reviewed its case-law on denial of healthcare. In this section, at para 173, it made the observation quoted at para 22 above regarding denial to an individual of healthcare which the state has “undertaken to make available to the population generally.” But the court reiterated (para 175) that issues such as the allocation of public funds in the area of healthcare are not a matter on which it should take a stand, recognising that it is for states to decide how their limited resources should be allocated.

  1. At paras 177-184 the court reviewed recent developments in its jurisprudence in cases concerning a failure to provide emergency medical care in the context of natal care. It explained the finding of a violation of the substantive limb of article 2 in Şentürk, where the applicant’s wife died in an ambulance because of the doctors’ refusal to carry out an urgent operation owing to her inability to pay medical fees where they were “fully aware” that transferring her to another hospital would put her life at risk, as being based upon “a flagrant malfunctioning of the relevant hospital departments” where she “had been deprived of the possibility of access to appropriate emergency care”: Fernandes, para 178.

  1. It explained the finding of such a violation in the case of Genç v Turkey, judgment of 27 January 2015, where the applicant’s new-born baby died in an ambulance after being refused admission to a number of public hospitals owing to a lack of space or adequate equipment, as being a case where the baby had not died because there had been negligence or an error of judgment in his medical care, “but because no treatment whatsoever had been offered”: Fernandes, para 179. It explained its decision in Aydoğdu v Turkey, judgment of 30 August 2016, involving the death of a premature baby, as based on a dysfunction in the health system in a particular region of Turkey, where “the authorities responsible for health care must have been aware at the time of the events that there was a real risk to the lives of multiple patients, including the applicant’s baby, owing to a chronic state of affairs which was common knowledge, and yet had failed to take any of the steps that could reasonably have been expected of them to avert that risk”: Fernandes, para 181.

  1. The court in Fernandes emphasised that in this case-law it had distinguished such cases where there was an arguable claim of a denial of immediate emergency care from cases which concern allegations of mere medical negligence: para 182. At para 200 it reiterated this point: “an alleged error in diagnosis leading to a delay in the administration of proper treatment, or an alleged delay in performing a particular medical intervention, cannot in themselves constitute a basis for considering the facts of this case on a par with those concerning denial of healthcare.”

  1. The court said (para 183):

    “These cases are, in the court’s view, exceptional ones in which the fault attributable to the health care providers went beyond a mere error or medical negligence. They concerned circumstances where the medical staff, in breach of their professional obligations, failed to provide emergency medical treatment despite being fully aware that a person’s life would be put at risk if that treatment was not given [footnote reference to Şentürk, para 104].”

  1. At para 184 the court explained that its approach in such cases was “akin to the test which it applies when examining the substantive positive obligation of the state to undertake preventive operational measures to protect an individual whose life is imminently at real risk”, as set out in Osman. It also emphasised that the dysfunctioning of the hospital services in Aydoğdu and Genç “did not concern negligent coordination between different hospital services or between different hospitals vis-à-vis a particular patient. It concerned a structural issue linked to the deficiencies in the regulatory framework.”

  1. The Grand Chamber in Fernandes then authoritatively clarified the approach to be adopted at paras 186-196. It began by reaffirming (para 186) that in the context of medical negligence a state’s substantive positive obligations relating to medical treatment are limited to a duty to put in place “an effective regulatory framework compelling hospitals, whether private or public, to adopt appropriate measures for the protection of patients’ lives.” Even where medical negligence is established, it will normally find a substantive violation of article 2 “only if the relevant regulatory framework failed to ensure proper protection of the patient’s life”; and it reaffirmed that where the state “has made adequate provision for securing high professional standards among health professionals and the protection of the lives of patients, matters such as an error of judgment on the part of a health professional or negligent coordination among health professionals in the treatment of a particular patient cannot be considered sufficient of themselves to call [the state] to account from the standpoint of its positive obligations under article 2 … to protect life”: para 187. A concrete examination of the facts is required to show that the relevant regulatory framework was deficient and that the deficiency operated to the patient’s detriment: para 188. The state’s obligation to regulate is to be understood in a broad sense, which encompasses necessary measures to ensure implementation of the regulatory framework, including supervision and enforcement: para 189.

  1. In an important passage, the court continued as follows (omitting footnotes):

    1. On the basis of this broader understanding of the states’ obligation to provide a regulatory framework, the court has accepted that, in the very exceptional circumstances described below, the responsibility of the state under the substantive limb of article 2 of the Convention may be engaged in respect of the acts and omissions of health care providers.

    1. The first type of exceptional circumstances concerns a specific situation where an individual patient’s life is knowingly put in danger by denial of access to life-saving emergency treatment. It does not extend to circumstances where a patient is considered to have received deficient, incorrect or delayed treatment.

    1. The second type of exceptional circumstances arises where a systemic or structural dysfunction in hospital services results in a patient being deprived of access to life-saving emergency treatment and the authorities knew about or ought to have known about that risk and failed to undertake the necessary measures to prevent that risk from materialising, thus putting the patients’ lives, including the life of the particular patient concerned, in danger.”

The court observed (para 193) that it is not always easy to distinguish between cases involving mere medical negligence and those in the latter category where there is a denial of access to life-saving emergency treatment, but it emphasised (paras 194-196) that to fall into that category three conditions have to be met. These are that the acts and omissions of the healthcare providers must go beyond a mere error or medical negligence, in that they, in breach of their professional obligations, deny a patient emergency medical treatment despite being fully aware that the person’s life is at risk if that treatment is not given (para 194); the dysfunction at issue must be genuinely identifiable as systemic, and “not merely comprise individual instances where something may have been dysfunctional in the sense of going wrong or functioning badly” (para 195); and there must be a causative connection between the state’s systems obligation, the dysfunction complained of and the harm suffered by the patient (para 196).

  1. The Grand Chamber concluded that there had been no violation of the substantive limb of article 2. It had not been demonstrated that the alleged fault attributable to the healthcare professionals went beyond a mere error or medical negligence or that they “failed, in breach of their professional obligations, to provide emergency medical treatment to [the deceased] despite being fully aware that his life was at risk if that treatment was not given”; and the alleged lack of coordination between hospital departments did not amount to a dysfunction in hospital services capable of engaging the state’s responsibility under article 2: para 202. The case concerned allegations of medical negligence, in relation to which the state’s substantive positive obligations were limited to compliance with the systems duty, and the relevant regulatory framework did not disclose any shortcomings: paras 203-204. There had, however, been a violation of the redress procedural obligation under article 2 in the circumstances of the case, because of excessive delay in the determination of civil proceedings brought by the applicant alleging negligence on the part of the health professionals: paras 235-238.

  1. In Oliveira in 2019 the applicant’s son suffered from severe mental health problems. He committed suicide while a voluntary inpatient at a psychiatric hospital. He was originally placed under a restrictive regime, but in light of an improvement in his condition this was lifted and he was given more freedom to move about within the hospital grounds. However, he left the grounds and jumped in front of a train. The applicant brought a civil claim against the hospital alleging that the suicide had been caused by the lack of appropriate containment and supervision of her son, including the lack of fencing around the hospital grounds, the lack of a mechanism to check the presence of inpatients so that staff would immediately be alerted in the case of absence, and the lack of an emergency procedure capable of detecting an inpatient’s absence which would have allowed the hospital staff to adopt effective measures to safeguard her son’s life and the lives of others. After eight years, the civil claim against the hospital was determined and dismissed at first instance. The applicant’s appeal was dismissed after a further period of three years. The Grand Chamber, reversing the judgment of the Chamber, held that there had been no violation of the substantive limb of article 2. But it found (paras 138-140) that there had been a violation of the procedural limb of article 2 due to the long delay in the determination of the applicant’s civil claim.

  1. The court in Oliveira referred to Fernandes as an authority which provided relevant guidance and addressed the application based on the substantive limb of article 2 in relation to the systems duty (Oliveira, paras 105-107 and 116-123) and the operational duty (Oliveira, paras 108-115 and 124-130).

  1. As regards the latter, the court referred to the guidance in para 116 of the Osman judgment (see para 35 above) and reiterated (para 112) that “the very essence of the Convention is respect for human dignity and human freedom”, referring in that regard in particular to the Convention rights in article 3 (prohibition of inhuman or degrading treatment), article 5 (right to liberty and security of the person) and article 8 (right to respect for private life), meaning that the authorities had to discharge their duties “in a manner compatible with the rights and freedoms of the individual concerned and in such a way as to diminish the opportunities for self-harm, without infringing personal autonomy”. The court referred (para 113) to the particular vulnerability of mentally ill persons, so that “[w]here the authorities decide to place and keep in detention a person suffering from a mental illness, they should demonstrate special care in guaranteeing such conditions as correspond to the person’s special needs resulting from his or her disability. The same applies to persons who are placed involuntarily in psychiatric institutions.” At para 115, the court referred to a range of factors concerning suicide risks where a person is detained by the authorities which are relevant to the question whether the authorities knew or ought to have known that the life of a particular individual was subject to a real and immediate risk such as to trigger the operational duty.

  1. The court dismissed each aspect of the applicant’s case based on breach of the systems duty. As regards her complaint about the lack of a security fence around the hospital grounds, the court emphasised that this reflected the legitimate therapeutic desire to create an open regime where the patient retained the right to move about freely; and the regulatory framework permitted the imposition of a more restrictive framework when it was assessed to be necessary: para 117. Written guidelines in respect of restraint measures applicable to psychiatric patients had not been in place at the time of the death (meaning that the issue of restraint was left to the professional judgment of those dealing with the deceased at that time), but the court did not see this “as a deficiency which would in itself render the regulatory framework ineffective for the purpose of providing the necessary means for the protection of [the deceased’s] life”: para 118. The purpose of the regulatory framework requirement under article 2 is to provide the necessary tools for the protection of a patient’s life, and “the lack of a written policy on the use of restraint measures is not determinative of its efficiency” and did not warrant a finding that article 2 was breached: para 119.

  1. The court also dismissed the complaint regarding the surveillance procedure for checking on voluntary inpatients only at meal and medication times. It noted that a more restrictive surveillance procedure was also available when considered necessary by the treating doctor, as well as other forms of restraint when considered necessary, so the regulatory framework provided the hospital with the tools necessary for the treatment of the deceased (even though they were not in fact utilised at the time of his death): para 120. The court also accepted the finding of the domestic court that the surveillance procedure in place was intended to respect the privacy of the deceased and was in line with the principle of treating patients under the least restrictive regime possible, noting that use of excessively restrictive measures might give rise to issues under articles 3, 5 and 8 of the Convention: para 121. The court considered that the emergency procedure when an absence was noted, consisting of alerting the doctor on call, the police and the patient’s family, was adequate: para 122.

  1. As regards the operational duty, the court explained the position at para 124 of Oliveira. It observed that a person with severe mental health problems, including a psychiatric patient being treated on a voluntary basis, is in a vulnerable position, as their capacity to take a rational decision to end their life may be impaired and “any hospitalisation of a psychiatric patient, whether involuntary or voluntary, inevitably involves a certain level of restraint as a result of the patient’s medical condition and the ensuing treatment by medical professionals”, since recourse to further kinds of restraint in the process of treatment is often an option, limiting liberty and privacy rights. It continued:

    “Taking all of these factors into account, and given the nature and development of the case-law referred to [at paras 108-115 of the judgment], the court considers that the authorities do have a general operational duty with respect to a voluntary psychiatric patient to take reasonable measures to protect him or her from a real and immediate risk of suicide. The specific measures required will depend on the particular circumstances of the case, and those specific circumstances will often differ depending on whether the patient is voluntarily or involuntarily hospitalised. Therefore, this duty, namely to take reasonable measures to prevent a person from self-harm, exists with respect to both categories of patient. However, the court considers that in the case of patients who are hospitalised following a judicial order, and therefore involuntarily, the court, in its own assessment, may apply a stricter standard of scrutiny."

I think it may be inferred that a stricter standard of scrutiny will be applied because the very fact that a judicial order has required hospitalisation shows that the risk of doing harm to oneself or to others has been highlighted to such a degree as to warrant detention to contain it.

  1. The court bore in mind the operational choices which must be made in terms of priorities and resources in providing public healthcare and other public services in the same way as it takes into account the difficulties involved in policing as highlighted in Osman: Oliveira, paras 125 and 131. The restrictive regime was lifted when it was considered the deceased’s symptoms showed improvement, which was in line with the hospital’s philosophy of giving patients a considerable degree of freedom of movement in order to increase their sense of responsibility and promote their reintegration into family and society, and the court saw no reason to question the assessment of his treating psychiatric doctor that his treatment, involving taking his prescribed medication, receiving the treatment voluntarily and establishing a relationship of trust was appropriate and proportionate in the circumstances: para 130. While the applicant’s son was at risk of suicide, in the circumstances it had not been established that the authorities knew or ought to have known that there was an immediate risk to his life so as to require consideration of the protective measures taken: paras 131-132.

  1. A theme which emerges in the Oliveira judgment is that in assessing the application of the operational duty as an aspect of the implied substantive obligation under article 2 it is relevant to take into account the wider interests of the vulnerable person who is said to be at risk, in terms of promoting their autonomy, integration into society and relationships of trust with those caring for them: paras 112-113, 121-122, 125 and 130-132.

  1. This has also been recognised at the highest level in the domestic jurisprudence. As Lord Dyson had observed in the leading judgment in Rabone in 2012, before Fernandes and Oliveira were decided, at para 43: “The standard demanded for the performance of the operational duty is one of reasonableness. This brings in ‘consideration of the circumstances of the case, the ease or difficulty of taking precautions and the resources available’: per Lord Carswell in In re Officer L [2007] 1 WLR 2135, para 21. In this case [Rabone], it also required a consideration of respect for the personal autonomy of Melanie [the voluntary inpatient who committed suicide]”. Baroness Hale made the same point in Rabone, para 107: “There is a difficult balance to be struck between the right of the individual patient to freedom and self-determination and her right to be prevented from taking her own life” (see also para 104).

  1. In Parkinson, after a review of Strasbourg and domestic case-law up to and including Fernandes, the Divisional Court (Singh LJ, Foskett J and HHJ Lucraft QC) said (para 86) that the enhanced procedural obligation “will only arise in medical cases in limited circumstances, where there is an arguable breach of the state’s own substantive obligations under article 2”, and went on to observe (para 87) that “matters such as an error of judgment on the part of a health professional or negligent co-ordination among health professionals in the treatment of a particular patient are not sufficient of themselves to call the state to account under article 2.”

  1. In my view, the first of these statements is correct as a general proposition as regards the systems duty and the operational duty: see Morahan, paras 75 and 78-79, 83-86, 98-100 and 122(4) (reviewing the effect of Middleton, R (L (A Patient)) v Secretary of State for Justice [2009] AC 588; R (Gentle) v Prime Minister [2008] AC 1356; and R (Smith) v Oxfordshire Assistant Deputy Coroner [2011] 1 AC 1). However, the second statement is not accurate: in such cases, the basic procedural obligation is likely to apply and there may be an issue regarding the protection of life under article 2 requiring the state to be called to account, but the procedural obligation in such circumstances is limited so that this requirement is satisfied by provision of the possibility of a civil action for negligence. As regards the statement at para 86 in Parkinson, it is clear that what will qualify as an arguable breach of the systems duty or the operational duty such as to trigger the enhanced procedural obligation calls for examination of their substantive content: see below.

  1. The facts

  1. Jackie was born on 28 April 1964. She had Down’s Syndrome, in addition to learning disabilities and behavioural difficulties and certain physical limitations. She lived at home between 1982 and 1991 but then exhibited bouts of extreme behaviour, diagnosed as cyclothymic personality disorder.

  1. After a placement at an assessment centre, from 1993 Jackie lived in the care home, managed by United Response, which provided private residential care. The care home was registered with the relevant regulator, the Care Quality Commission (“CQC”), and was subject to periodic inspections. It provided accommodation for adults with learning difficulties who required round-the-clock supervision and assistance with personal care. At the material time it had five residents. It was not a nursing home. Its staff had neither medical nor nursing training.

  1. Jackie’s placement at the care home was paid for and supervised by Blackpool City Council (“the Council”), in the discharge of their statutory functions to provide support for an adult with her combination of difficulties. For her own safety and care, Jackie was not permitted to leave the care home without supervision. The doors were kept locked. As explained by this court in Cheshire West and Chester Council v P [2014] UKSC 19; [2014] AC 896, with reference to HL v United Kingdom (2004) 40 EHRR 761, to be kept in such circumstances constitutes a deprivation of liberty for the purposes of article 5 of the Convention. Jackie was, therefore, subject to a standard authorisation for such interference with her liberty in her best interests granted by the Council pursuant to the Deprivation of Liberty Safeguards (“DoLS”) set out in Schedule A1 to the Mental Capacity Act 2005 (“the MCA 2005”).

  1. Jackie could communicate. However, a capacity assessment carried out by a psychiatrist, Dr Ali, in March 2016 concluded that Jackie lacked capacity for the purposes of the MCA 2005 in various respects. Dr Ali found that Jackie was a vulnerable adult with no insight and was totally dependent on staff at the care home for her day-to-day care. In his view, she fell to be considered for deprivation of liberty, subject to the DoLS, in her own best interests. A social worker, Mr Fryar, also made a best interests assessment for Jackie to support the standard authorisation pursuant to the DoLS in which he noted her dependence on others and that the staff at the care home made sure that she had appropriate and timely access to her GP and other NHS services.

  1. In recent years, spinal problems had restricted Jackie’s mobility to the extent that she used a wheelchair for trips outside the care home. She took anti-inflammatory medication to manage back pain and medication to manage the risk of gastric ulceration from anti-inflammatories.

  1. Jackie was fearful of medical interventions and sought to avoid them. She had refused a blood test in 2013 and accordingly her medical records noted that she would require diazepam (a sedative) and a home visit if an injection were ever required. In November 2016 Jackie refused to agree to her GP taking blood for a test as part of an investigation into stomach pain she was experiencing. In December 2016 she attended hospital for an ultrasound scan as part of that investigation, but this was not completed due to her becoming upset during the scan. Jackie continued to complain of stomach pain periodically until the time of her death.

  1. From 16 February 2017 it was noted that she was not eating well and was complaining of a sore throat. She suffered from diarrhoea.

  1. On 20 February 2017 Jackie vomited and had a raised temperature. She asked to see a GP, but this request was not acted on.

  1. On 21 February 2017 one of the support workers at the care home, Susan Egan, noted that Jackie was experiencing breathing difficulties. Later that morning, Jackie asked to see a doctor. Ms Egan did not act immediately on that request, but at 2.55 pm she telephoned Jackie’s GP practice and requested that a GP visit her, as she had suffered a “possible collapsing episode at 2.15 pm” and had refused food and drink. The GP’s receptionist told Ms Egan that the request for a visit would be considered later that day. At 3.20 pm Ms Egan telephoned again to report further symptoms.

  1. At 3.36 pm Ms Egan telephoned the NHS 111 service for the North West of England (“NHS 111”), an out-of-hours medical advice service run by the North West Ambulance Service (“NWAS”). She informed the call handler that Jackie had been vomiting, and described her vomit as being like coffee; she was complaining of terrific pains in her stomach; she had had a fit; and she had been saying earlier that she did not feel well and wanted a doctor. When asked if Jackie had any physical or sensory disabilities, Ms Egan responded “No”. NHS 111 advised Ms Egan to telephone Jackie’s GP, and Ms Egan explained she had done that already. NHS 111 said that she should try again with a request for a home visit within two hours.

  1. At 4.59 pm Jackie’s GP, Dr Sarfraz Adam, telephoned the care home and spoke to another carer (Chloe Le Saint) about Jackie’s condition. He advised that she was suffering from viral gastroenteritis and a urinary tract infection. He did not think it was necessary to make a home visit to see her, but prescribed anti-sickness medication and an antibiotic. (At the inquest, Dr Adam accepted that, with the benefit of hindsight, the information he was given when he called warranted a home visit and that he should have gone to see Jackie).

  1. At about 7 pm Jackie asked to go to bed. She walked to the bottom of the stairs and collapsed. Ms Le Saint was unsure whether she had fainted or had a fit. Two members of staff helped Jackie to the bathroom where she collapsed again. She was taken to bed. At 7.14 pm Ms Le Saint telephoned NHS 111 to request an ambulance. In response to questions Ms Le Saint informed the call handler that Jackie was warm to touch; she had had a crushing pain in her chest/upper abdomen in the last 24 hours; she had been in pain in the last 12 hours and had been vomiting what looked like coffee grounds (the medical significance of this is that coffee ground vomit is generally interpreted as a sign of haematemesis, ie vomiting blood); there had been blood in the toilet when Jackie last visited; she had collapsed three times that day; she would not sit still; she got scared and would need to be sedated to be seen.

  1. NHS 111 arranged for an emergency ambulance to be sent, but owing to administrative error the ambulance crew were not informed that Jackie had Down’s Syndrome and learning disabilities, nor informed about many significant details of her symptoms.

  1. The ambulance arrived at 8.03 pm. Its crew consisted of paramedic Hannah Ayres and emergency technician Graham Peters (together, “the paramedics”). They spoke to Ms Le Saint. There was a degree of conflict and confusion at the inquest regarding what exactly they were told, but the basic picture emerges from the evidence of Ms Ayres. She stated that she was told by Ms Le Saint that Jackie had had a vacant seizure at the bottom of the stairs at about 3 pm that day and was staring blankly for about two minutes; she had had loose bowels for about one and a half weeks and vomiting for two days. Ms Ayres said that she was not informed by NHS 111 or Ms Le Saint of Jackie’s seizure at about 7 pm.

  1. The paramedics carried out their own observations and considered what should be done. They checked Jackie’s heart rate (which at 100 was raised), her blood pressure (which at 93/58 was low) and its oxygen saturation (which at 92% was low). Her temperature was normal. Her chest rattled.

  1. The paramedics wanted to take Jackie to hospital for assessment, due to the unusual vacant seizure. The care home staff agreed. Jackie’s mother, Mrs Maguire, was spoken to on the telephone and she also agreed. However, Jackie refused to go to hospital. The paramedics and the care home staff tried to persuade her, but without success.

  1. The paramedics were concerned that Jackie did not have capacity to weigh up for herself the consequences of not attending hospital. However, in order to make her go to hospital she would have to be restrained and manhandled; the paramedics were not qualified to administer sedation, which would have required a medical assessment. The paramedics thought that if they used force the likelihood of causing injury or harm was very high and was disproportionate to the state she was in at the time. Jackie seemed fine in herself. She was alert, was not complaining of any pain, and at that time was showing no signs of discomfort. She was speaking and was not subject to cyanosis (blue skin or lips due to insufficient oxygen in the blood or poor circulation). In the paramedics’ assessment, Jackie was not displaying any red flag signs which would have indicated that her life was at risk.

  1. At 8.35 pm Ms Ayres sought advice from Dr Susan Fairhead, an out-of-hours GP. According to Dr Fairhead’s evidence at the inquest, she was told that Jackie had had diarrhoea for a week and had started vomiting a couple of days previously; she had suffered a small seizure at about 2.15 pm when her eyes had rolled back in her head; she was refusing to leave her bedroom despite being advised that it was better for her to go to hospital; she had had no further episodes of vomiting or further faints and following the original episode she had recovered quickly. Dr Fairhead advised that, since Jackie was stable, while they should try to convince her to go to hospital it would be inappropriate to manhandle her; she should be monitored during the night and her GP should be called in the morning. (When questioned at the inquest Dr Fairhead accepted that her triage was poor; she should have asked the paramedics for detailed observations and, had she done so, it was likely this would have led her to advise an immediate admission to hospital; if Jackie had refused to go, Dr Fairhead said that she would have sent the visiting GP who would have carried sedatives and would have had the ability to sedate Jackie if necessary, to assist in effecting a transfer to hospital).

  1. Mrs Maguire telephoned the care home several times during the evening and spoke to a member of staff, Sherrill Clayton. Mrs Maguire suggested that a sedative could be used to assist with a transfer to hospital. It was unclear on the evidence given at the inquest whether this suggestion was passed on to the paramedics, but in any event they were not themselves qualified to administer a sedative and Dr Fairhead was in a position to advise about this, if she had thought it was appropriate.

  1. The paramedics’ assessment was that the situation did not warrant restraining Jackie and manhandling her to get her to hospital. The best course was for Jackie to remain at the care home with someone checking on her during the night. This task was undertaken by Ms Le Saint. There is some controversy about whether this was done, and with what frequency.

  1. By the morning of 22 February 2017 Jackie was acutely unwell. At 6.30 am Ms Le Saint found Jackie and her bedclothes soiled with faeces. She was reluctant to get out of bed. When she did so about 45 minutes later, she collapsed. Ms Egan arrived for work about 30 minutes later and helped Ms Le Saint to move Jackie to the bathroom where she collapsed once more and appeared to suffer a seizure. At this time, the care home manager, Sharon Simpson, arrived at the care home. On seeing Jackie unconscious on the bathroom floor, at 8.12 am she telephoned the emergency 999 service to call an ambulance.

  1. Another ambulance crew arrived at 8.21 am. They were advised of Jackie’s recent history, including her episode of haematemesis. Jackie was now extremely unwell but still resisted attempts to convey her to the ambulance. Having concluded that she lacked capacity to make decisions regarding her treatment, the ambulance crew decided that it was in her best interests to use light physical restraint to take her to hospital. Jackie was secured to a carry-chair by her legs and was carried to the ambulance.

  1. Jackie arrived at Blackpool Victoria Teaching Hospital, run by an NHS trust (“the Hospital Trust”) at 9.22 am. On admission she was treated with antibiotics and fluid resuscitation for presumed sepsis. Tragically, Jackie died at about 7.40 pm on 22 February 2017 following a cardiac arrest. Amongst their many concerns about Jackie’s treatment, her family also have concerns about the care provided to her at the hospital.

  1. A post-mortem was carried out on 28 February 2017. This recorded a 3 cm stomach ulcer which had perforated Jackie’s stomach and resulted in peritonitis. According to evidence at the inquest, it is likely that this had developed over several months.

  1. At the inquest, independent expert witnesses instructed by the Coroner gave evidence. The principal independent expert witness was Dr Peter Goode, a consultant with expertise in emergency medicine. He expressed the view that Jackie was on a sepsis pathway on 21 February 2017, at which time the risk of death was 30-40%. This was not identified by either Dr Adams or Dr Fairhead, nor by the paramedics who attended at the care home that day. By the morning of 22 February when she was admitted to hospital, Dr Goode assessed that the risk of death had increased to 70%.

  1. At first instance, the Divisional Court (Irwin LJ, Farbey J and HHJ Lucraft QC) recorded that the significant facts were not in dispute: [2019] EWHC 1232 (Admin), para 9.

  1. The Coroner opened an inquest into Jackie’s death on 3 August 2017. The substantive inquest with a jury took place between 20 and 29 June 2018, with final submissions on 2 July. Around 30 witnesses were called to give evidence. The investigation undertaken by the Coroner into the circumstances of Jackie’s death was thorough. Apart from in relation to the verdict, it is accepted that it was fully compliant with the requirements which article 2 imposes. Jackie’s family had the opportunity to participate in the inquest, were represented by counsel (Ms Formby) and had full access to the evidence. The issue in the appeal is concerned only with the form of the verdict which was required to be given.

  1. For the purposes of the inquest, in the period from March 2017 detailed witness statements were taken from the staff at the care home, senior managers at United Response, the paramedics, the GPs and other doctors involved with Jackie’s care on 21-22 February 2017 and her post-mortem, the Medical Director responsible for the NHS 111 service (Dr Katherine Noble) and the Quality Assurance Lead for the relevant Emergency Operations Centre for NWAS (Mr Nikky McCormack-Gray). Dr Goode and other independent experts compiled detailed reports.

  1. Prior to the commencement of the inquest, a series of other investigatory steps were taken. These were not the subject of detailed evidence in these proceedings, but were described in evidence given at the inquest. In broad outline, they were as follows.

  1. United Response conducted its own review of what had happened, with a view to learning lessons. Staff at the home had made daily records of Jackie’s condition. The outcome of the review was a renewed focus on training for staff at the care home, including to make sure everything was recorded, streamlining of documentation and changes in the out-of-hours duty management system.

  1. The CQC conducted its own investigation into United Response, having regard to the circumstances of Jackie’s death. It did not find any lapse in the standard of care to be expected of the care home and its staff.

  1. Advanced Paramedic Vincent Romano of NWAS conducted a review of the actions of the paramedics on 21 February 2017, which concluded that they had acted appropriately in assessing Jackie, including obtaining advice from the out-of-hours GP, and had acted in the best interests of Jackie with the information available to them when deciding that she should not be restrained and moved to hospital. Mr Romano also attended the inquest and gave evidence to explain his report and his conclusions. He confirmed that in his opinion the decision taken by the paramedics was appropriate in the circumstances. Sedation was not within the scope of training of a paramedic; it would not be for them to suggest it, but would be a decision for a trained clinician. In his view, sedation would not have been appropriate on the evening of 21 February 2017 because, like physical restraint, it would create risk for the wellbeing of the patient which would not have been justified according to the symptoms Jackie was displaying at the time. According to Jackie’s presentation at the time of the paramedics’ visit, she was not displaying symptoms of such great severity or such pressing concern that it would have been reasonable to use force to remove her to hospital at that stage for checks. In Mr Romano’s view, there was nothing else that the paramedics could have done to get Jackie to hospital in a safe manner.

  1. In his witness statement, Mr McCormack-Gray explained that he had reviewed the operation of the NHS 111 Service in relaying information to the ambulance service on the evening of 21 February 2017. Usually, information is relayed by means of electronic transfer, which gives the ambulance crew access to the information provided by the person calling the 111 number. Occasionally, as happened in this case, the electronic transfer system fails, in which case the back-up procedure is for the ambulance service dispatcher who is called by the nurse from the NHS 111 Service to note the details provided and enter them manually into the emergency dispatch system for the ambulance crew. Mr McCormack-Gray identified that some information provided by the person calling the 111 number was not correctly recorded by the dispatcher and so was not passed on to the ambulance crew. The information that Jackie had Down’s Syndrome, learning difficulties and poor vision was not passed on. No information relating to the immediate cause for an ambulance to be deployed was passed on other than that Jackie had fainted. Dr Noble also identified failures within the NHS 111 Service in relation to the handling of calls from the care home about Jackie and in respect of passing on information provided by the care home as appropriate. In response to questions posed by the Coroner, Dr Noble explained what lessons had been learned and what steps had been taken to improve performance.

  1. The inquest was formally opened on 3 August 2017. Thereafter, two pre-inquest review hearings were held at which various procedural matters were addressed. In this period, on 19 December 2017, the Fernandes judgment was promulgated.

  1. The first pre-inquest review hearing was on 8 September 2017. Having reviewed the available material and heard submissions from the interested persons, including Mr Kenneth Maguire on behalf of Jackie’s family, the Coroner held that (with particular reference to the test in Osman) article 2 was not engaged and there was no arguable breach of its substantive aspect. He therefore proposed to conduct the inquest as a Jamieson-style inquest rather than as a Middleton-style inquest (with an expanded form of verdict); but he noted that this was a matter which would be kept under review in light of the evidence heard during the course of the inquest. In the exercise of his discretion under section 7 of the 2009 Act, having regard to the facts that Jackie was a vulnerable person with Down’s Syndrome and was the subject of a DoLS order, the Coroner directed that the inquest should take place with a jury.

  1. In the present case, the operational duty applied to the staff at the care home in a graduated way, depending on their perception of the risk to Jackie. They were obviously aware that Jackie was a vulnerable person in their care for the general purpose of looking after her. They were not medically trained. By reason of the placement by the Council of Jackie at the care home, their responsibility was to look after Jackie on behalf of the state in substitution for her family. In view of Jackie’s vulnerability and limited ability to look after herself, they had the task of ensuring that she could have access to the healthcare which is available to the population generally, in the same way that a family could secure access for a vulnerable member: Fernandes, para 173 (see paras 22 and 46-49 above).

  1. When Jackie became seriously unwell on 21 February 2017, this is what the care home staff sought to do. Their conduct was investigated in detail at the inquest. Dr Goode’s evidence was that they had behaved in an appropriate way and were not to be criticised: paras 104-105 above. Having sought medical advice, the care home staff were obviously entitled to rely upon the advice they received, which was that Jackie’s life was not in danger and she did not need to be removed to hospital that day. In the event, Ms Formby, as counsel for the family, did not allege that they had breached an Osman-style operational duty.

  1. In my view, so far as the care home is concerned, Jasinskis provides helpful guidance as to what would be expected. In that case, the applicant’s son, who was a vulnerable individual who was deaf and mute, was involved in an incident during a night out in which there was minor damage to property and he was pushed and fell backwards down stairs, where he hit his head and lost consciousness for several minutes. The police arrived, were informed about the incident and the individual’s disability and what had happened to him, and decided not to wait for an ambulance which had been called but to take him into custody to initiate proceedings for petty hooliganism and public drunkenness. He was not medically examined but was left in a room at the police-station, despite banging on the walls, and despite the police being unable to wake him in the morning, until the following afternoon, when the applicant finally managed to persuade the police to call an ambulance to take him to hospital. He died a few hours later. A post-mortem examination concluded this was from severe head injuries.

  1. The Strasbourg Court found a violation of the substantive positive obligation under article 2 and of the procedural obligation. It observed (para 59) that persons in custody are in a vulnerable position and the authorities are under a duty to protect them; “[w]here the authorities decide to place and maintain in detention a person with disabilities, they should demonstrate special care in guaranteeing such conditions as correspond to his special needs resulting from his disability”; and they have a duty “to provide effective protection of vulnerable persons from ill-treatment of which the authorities had or ought to have had knowledge”; “[f]urthermore, the national authorities have an obligation to protect the health of persons who have been deprived of their liberty” (para 60); arising from these points, the court said (para 61):

    “The court considers that the question to be resolved first is whether the [police officers] knew or ought to have known about the danger to the applicant’s son’s health. Subsequently the Court has to evaluate whether the officers in question displayed adequate diligence in light of the medical condition of the applicant’s son and his disability in so far as they knew or ought to have known about them.”

  1. The court found a violation of the substantive positive obligation since the police officers knew about the son’s disability and that he had hit his head and lost consciousness, but kept him in detention for several hours without any medical examination before an ambulance was called. They had thereby failed to fulfil their duty to safeguard his life by providing him with adequate medical treatment (paras 62-67). The court also found a violation of the procedural aspect of article 2, according to the enhanced procedural obligation. It referred to Calvelli and observed (para 73) that where a death has not been caused by use of force or similar direct official action “the standard against which the investigation’s effectiveness is to be assessed may be less exacting”, but emphasised that if the negligence attributable to state officials or bodies goes beyond an error of judgment or carelessness, “in that the authorities in question, fully realising the likely consequences and disregarding the powers vested in them, have failed to take measures that have been necessary and sufficient to avert the risks to the victim’s life” the enhanced procedural obligation will apply; and that was the situation in that case.

  1. In my view, applying the court’s approach in Jasinskis in the context of the present case leads to the conclusion that, by the time of the verdict decision, there was no arguable breach of the operational duty by the care home. The care home staff were aware that Jackie was experiencing very significant health problems on 21 February 2017, and if they had done nothing to seek medical advice about them that might well have constituted a breach of the article 2 operational duty. But, unlike the police in Jasinskis, they did take appropriate steps to seek medical advice and to call an ambulance. They ensured that Jackie was given access to the healthcare available to the population generally (Fernandes, para 173; and paras 22 and 46-49 above). They were then entitled to rely on the judgment of the doctors and paramedics about whether Jackie needed to be taken to hospital. I would therefore reject the appellant’s submission that the enhanced procedural obligation arose by reason of an arguable breach of the operational duty on the part of the care home.

  1. Was there an arguable breach of the operational duty on the part of the healthcare providers?

  1. The critical issue under this heading is whether there was a breach of the operational duty involved in the decision on 21 February 2017 not to take Jackie to hospital, before the risk of death as identified by Dr Goode increased dramatically. The paramedics and the GPs advising on that date thought it would be advisable for Jackie to go to hospital for checks, but they did not consider that Jackie’s life would be in danger if she was not taken there. Moreover, when assessing whether an Osman-style operational duty arose which required that she be taken to hospital, it is also necessary to take into account other countervailing factors relevant to her situation: see paras 57-60 above.

  1. The care home was intended to be an environment in which Jackie’s autonomy was promoted and she was treated with dignity and respect. It was important that she should have a good and cooperative relationship with her carers, which required trust. There were thus good reasons that, where possible, Jackie’s own decisions and preferences should be given respect, although not treated as binding.

  1. Also, as a general matter, healthcare professionals should seek to respect the autonomy of those in their care where possible and should at all times aim to act in their best interests, avoiding harm to them. Where an ambulance crew encounter a patient who is resistant to going to hospital, it is not a simple matter to say they must be forced to go either by means of physical restraint or by chemical restraint through the administration of sedatives. Both may have negative effects which harm the patient. An assessment is called for, to ensure that if such means are to be used, that is only where this is proportionate to the risk faced by the patient.

  1. None of the healthcare professionals involved was on notice that Jackie’s life was in danger, so as to engage the Osman operational duty. Furthermore, the paramedics, who had the ultimate decision about taking Jackie to hospital (albeit with the benefit of medical advice given by Dr Fairhead) gave proper consideration to the question whether she ought to be removed there and made an assessment which was reasonable in the circumstances, that the risk to her was not so great as to make that appropriate. At the inquest, the relevant expert witness (Dr Goode) did not criticise them for making this decision: para 103 above.

  1. For these reasons, I consider that the appellant cannot maintain that there was any breach of the operational duty. The case does not fall within the “very exceptional circumstances” referred to in Fernandes, paras 190-191 (para 50 above). By the time of the verdict decision, this question had been thoroughly explored at the inquest and, particularly in the light of the expert evidence, there was no arguable case that there had been a breach of this duty. Again, it is telling that counsel for the family at the inquest did not contend that there was. Accordingly, I would reject the submission that the enhanced procedural obligation applied on the basis of an arguable breach of the operational duty by the healthcare professionals.

  1. The LDM Review and the CIPOLD report

  1. I agree with the Court of Appeal, paras 103-104, that these materials do not support the appellant’s case. As the Court of Appeal stated (para 104), “they do not illuminate how, when or where Jackie came by her death nor even in what circumstances she came by her death”. They do not indicate that there was an arguable breach of either the systems duty or the operational duty in Jackie’s case, so as to support the submission that the enhanced procedural obligation was applicable. In so far as it is suggested that these reports indicate in a very general way that more might be done to protect the health of individuals with learning disabilities, as was pointed out by the Strasbourg Court in Fernandes, para 175, it is not the proper role of the court to pronounce upon such matters, which involve judgments regarding allocation of scarce resources in the care and healthcare system.

  1. The Ullah principle

  1. I have reached the conclusions above without the need to invoke the Ullah principle, as recently reaffirmed in this court in R (AB) v Secretary of State for Justice [2022] AC 487, paras 54-59. However, that principle certainly reinforces my view that the appellant’s submissions based on article 2 do not succeed. This court cannot have any confidence that the Strasbourg Court would hold that the enhanced procedural obligation is applicable in this case, judged at the time of the verdict decision.

Conclusion

  1. For the reasons set out above, I would dismiss this appeal.

LORD STEPHENS (concurring):

Lord Sales’ judgment

  1. It is right that I should commence by expressing my admiration for the judgment of Lord Sales, which I have read in draft. I am indebted to him for his close analysis of the authorities and of the relevant principles, and for his distillation of the many complex issues which arise in this difficult appeal. I agree with him that the appeal should be dismissed.

  1. In this concurring judgment, I set out Jackie’s personal circumstances to demonstrate her total dependence on others as to whether she should be treated at hospital. I will also briefly set out the relevant legal principles.

Jackie’s personal circumstances

  1. Jackie had lived in the care home since 1993. She had her own sitting room as she preferred to be on her own listening to music or watching the TV. She joined the other residents for meals. Jackie’s mood was generally quite happy, so that she could be quite jovial, smiling and laughing. She did not demand to leave the care home. She accepted her medication. She would have been highly vulnerable in community settings.

  1. Jackie was physically disabled due to a severe degree of kyphosis (spinal curvature). Jackie’s back condition restricted her mobility. She required the assistance of two carers to go to bed or to come off her bed or chair. She was able to weight bear but could hardly walk for a few metres and for any longer distances she required a wheelchair. She spent a lot of time on the settee. She was required to take anti-inflammatory medication, Naproxen, 500 mg twice daily to manage back pain together with Ranitidine, 300 mg once daily, to manage the risk of gastric ulceration from the anti-inflammatory medication. She was also maintained on Paracetamol, 500 mg, as needed, four times a day.

  1. In addition to her physical disability, Jackie had several mental disabilities. She had Down’s Syndrome and moderate learning disability. Down’s Syndrome is a frequent cause of intellectual disability and generally the IQ of individuals with Down’s Syndrome lies between 20-50, although there is no specific figure for Jackie’s IQ. Jackie’s speech was restricted to a few words or very basic small sentences. She was very repetitive in her words. She generally said one word at a time. For instance, if she wanted juice she would say “juice” and point her finger towards the juice bottle. She was able to say simple words such as “yes” or “no”. She had no insight into her psycho-social and cognitive deficits and harboured multi-dimensional vulnerabilities. She had no real understanding of her placement at the care home, and she was shallow and concrete in her thinking.

Jackie’s mental capacity and deprivation of her liberty

  1. On 7 April 2016, a Standard Authorisation was granted by Blackpool Council under Schedule A1 of the MCA 2005 to deprive Jackie of her liberty at the care home for the purpose of her being given the proposed care and/or treatment, as she was unable to make this decision because of an impairment of, or a disturbance in, the functioning of the mind or brain. The authorisation was based on Deprivation of Liberty Safeguards Form 3 (“Form 3”) which included a mental capacity and best interests assessment. Form 3 was completed by John Davies Fryar, a social worker and best interests assessor, on 4 April 2016. The authorisation was also based on Deprivation of Liberty Safeguards Form 4 (“Form 4”) which was a mental capacity, mental health, and eligibility assessment completed by Dr Safdar Ali, a consultant psychiatrist on 27 March 2016.

  1. To complete Form 3, Mr Fryar met and consulted with Sharon Simpson, the manager of the care home, Muriel Maguire, Jackie’s mother, and Susan Egan, the senior support worker at the care home. He also considered the following three documents: a Care Plan dated 2 April 2016, a Daily Contact note, and Form 4 completed by Dr Ali and dated 4 April 2016. Under background information Mr Fryar recorded, amongst other matters, that:

    “[Jackie] has lived in this home for 15 years and therefore it should be considered as her home rather than a placement. … She has her own sitting room as she prefers to be on her own listening to music or watching the TV. She joins the other residents for meals. The staff provide her with a full range of activities and they take her out in her electric wheel chair to a variety of activities. … ”

    “She is not prescribed any anti-psychotic or other sedative medication…. All other medication is administered by staff and [Jackie] does not have a choice as to whether she takes it.”

Under the heading “Views of the relevant person”, Mr Fryar recorded that Jackie was able to tell him that she likes the home and he considered that she presented as very settled within the home. Under the heading “Views of Others”, Mr Fryar recorded that staff told him that Jackie “needs one to one care in all her personal needs”. On page 6 of Form 3, Mr Fryar gave his opinion that Jackie is to be kept in the care home for the purpose of being given the relevant care or treatment in circumstances that deprived her of liberty. In considering the objective of a deprivation of liberty, he referred to the objective of Jackie being “under constant supervision in the home” and gave his opinion that “given the size of the home, she can be easily observed by staff throughout the day”. Another objective that could be met in the care home was that Jackie needed the help of staff in all her personal care. Significantly for the purposes of the issues in this appeal, he stated:

Accordingly, one of the objectives was to make choices for Jackie in relation to her medication which could be achieved in the care home. In relation to each of these objectives he then stated that Jackie “is unable to consent to the above as, because of the lack of capacity, she is not orientated in place or time”. Accordingly, her lack of capacity extended not only to the decision as to whether to remain in the care home but also to other matters including her medication.

  1. Jackie’s lack of mental capacity in relation to her medical care is returned to under the heading “It is necessary to deprive the person of their liberty in this way in order to prevent harm to the person”. One of the reasons given by Mr Fryar for depriving Jackie of her liberty was so that she received “her medication at the right time and in the right amount”. Again, under the heading “This is in the person’s best interests” one of the reasons given by Mr Fryar as to why it was in her best interests to be kept in the home for the purposes of being given the relevant care or treatment was that:

    “The home also makes sure she has appropriate and timely access to her GP and other NHS services.”

Accordingly, Jackie was assessed by Mr Fryar as not only not having the mental capacity in relation to her medication but also as not having mental capacity to obtain appropriate and timely access to her GP or to other NHS services, such as an ambulance or a hospital. He considered that it was in her best interests to be detained in the care home so that the staff at the care home could make those decisions on her behalf. Mr Fryar again stated that deprivation of liberty at the care home was in her best interests because the staff at the care home could “administer her medication and make sure she receives it at the appropriate time and amount”. As Jackie lacked mental capacity to make decisions as to her medical care, a part of the relevant care or treatment which justified the deprivation of her liberty was that the staff at the care home calling upon other healthcare providers would be responsible for such decisions.

  1. Under the heading “It is necessary to deprive the person of their liberty in this way to prevent harm to the person”, Mr Fryar also set out the harm that would occur to Jackie if she did not have her freedom restricted. Mr Fryar stated:

    “… she would be at risk from various factors in the outside environment. She would not be able to find her way back to the home, and she does not have a full grasp of the risks that road traffic provides to her. She would also be open to exploitation and at high risk of falls. …through various interventions, the home maintains [Jackie’s] safety and welfare which, if she was living on her own, she would not be able to maintain for herself at an acceptable level. In her own home she would be at risk from everyday appliances.”

  1. On page 7 of Form 3, Mr Fryar stated that it was “totally inappropriate even to suggest alternatives to … [Jackie’s] excellent placement …”. On page 8 of Form 3, he gave his opinion that it was appropriate to deprive Jackie of her liberty under the Standard Authorisation for 12 months and that the Standard Authorisation should come into force as soon as possible.

  1. In Form 4, Dr Safdar Ali gave his opinion that Jackie “lacks capacity to make her own decision about whether she should be accommodated in [the] care home for the purpose of being given the proposed care and/or treatment because of an impairment of, or a disturbance in the function of the mind or brain”. In forming that opinion and in order to carry out a mental capacity assessment, Jackie, accompanied by Andrea, a member of the care home staff, was seen by Dr Ali in her room at the care home. An appropriate time was selected for the assessment when Jackie was fully active and alert. Dr Ali explained the purpose of the meeting in easy words, and Jackie was given sufficient time to understand and to give her responses. Dr Ali explained the nature of Jackie’s illness to her together with its implication and merits of her staying at the care home. He also informed her of the potential problems if she decided not to stay at the care home. Dr Ali recorded that Jackie had no real understanding of his role or the reasons for his assessment. He considered that Jackie gave “little indication that she had ability to understand the relevance of her current care arrangements or the psychosocial factors which made these arrangements necessary”. Dr Ali recorded that Jackie was quite jovial in her manners but appeared shallow in her thinking and was “childish in her behaviour”. Dr Ali considered that Jackie was unable to retain information relevant to the decision as to whether she should be accommodated in the care home for the purpose of being given the proposed care and/or treatment. When asked about the information which had just been given to her “She just looked around”. When asked to use or weigh the information as part of the process of making the decision “she just smiled”. Dr Ali considered that Jackie was “a vulnerable adult with no insight”. Dr Ali’s assessment of Jackie’s inability to understand and to retain information can be read across to her lack of mental capacity in relation to her own medical care.

  1. Because of the assessments carried out by Mr Fryar and Dr Ali, Jackie was deprived of her liberty pursuant to the Deprivation of Liberty Safeguards set out in Schedule A1 to the MCA 2005. Consequently, the doors of the care home were kept locked and she was not permitted to leave without supervision. The purpose of the authorisation was to enable the care or treatment to be given to Jackie as described by Mr Fryar in his best interests Form 3 which included medical care in liaison with the healthcare providers.

  1. In conclusion, because of her mental and physical disabilities Jackie was totally dependent on others for her day-to-day care. Furthermore, she did not have the mental capacity to make any decision as to whether she should be treated at hospital. Any decision as to whether she should be treated at hospital was required to be made on her behalf by the staff at the care home and by the health care providers.

Jackie’s fear of medical interventions

  1. Jackie was fearful of medical interventions and sought to avoid them. She had refused a blood test in 2013. Her medical records noted that she would require diazepam (a sedative) and a home visit if an injection were ever required. In November 2016, Jackie refused to agree to her GP taking blood for a test as part of an investigation into stomach pain she was experiencing. In December 2016, she attended hospital for an ultrasound scan as part of that investigation, but this was not completed due to her becoming upset during the scan.

The risk to Jackie’s life and her death

  1. Lord Sales in the part of his judgment entitled “The Facts” has set out Jackie’s symptoms in the period immediately prior to her death. For present purposes, the symptoms commenced on 16 February 2017 when it was noted that Jackie was not eating well and was complaining of a sore throat. She suffered from diarrhoea. On 20 February 2017 Jackie vomited and had a raised temperature. On 21 February 2017, Jackie was noted by care home support worker Susan Egan to be experiencing breathing difficulties. Jackie suffered a “possible collapsing episode” at 2.15 pm and had refused food and drink. By 3.36 pm, Ms Egan informed NHS 111 that Jackie had been vomiting and the vomit looked like coffee grounds (the medical significance of this is that coffee ground vomit is generally interpreted as a sign of vomiting blood). Jackie was also complaining of terrific pains in her stomach. At about 7 pm, Jackie collapsed at the bottom of the stairs on her way to bed and a member of staff was unable to say whether it was a faint or a fit. Two members of staff helped Jackie to the bathroom where she again collapsed. Ms Le Saint, one of the carers at the home, informed the 111 service that Jackie was warm to touch and had had a “crushing pain in her chest/upper abdomen in the last 24 hours. Pain within the last 12 hours, vomiting coffee grounds”.

  1. At the inquest, Dr Peter Goode, a consultant with expertise in emergency medicine, expressed the view that Jackie was on a sepsis pathway on 21 February 2017, at which time the risk of death was 30-40%. He opined that the risk of death had increased to 70% by the morning of 22 February 2017 when she was admitted to hospital.

  1. On 21 February 2017, the staff at the care home and the healthcare providers did not have actual knowledge of the risk to Jackie’s life nor did they have actual knowledge that the risk would increase dramatically if Jackie did not receive treatment in hospital. Jackie lacked the capacity to make decisions regarding her treatment and so it was decided for her that she should remain in the care home with someone checking on her during the night. However, if the care home staff and the healthcare professionals ought to have known of the risk to Jackie’s life on 21 February 2017, then the preventative measure would have been to sedate Jackie or to lightly restrain her so that she could be taken to hospital for treatment. There would be no question of that preventative measure imposing an undue burden on the state authorities, nor would there be any question of any countervailing issues in relation to Jackie’s dignity and personal autonomy weighing in the balance so that the preventative measure of taking her to hospital was unreasonable.

  1. It is important at this stage to note that after all the evidence was heard at the inquest, Ms Formby, for Jackie’s family, did not contend that there had been a breach of the Osman operational duty on the basis that the care home staff and the healthcare professionals ought to have known of the risk to Jackie’s life on 21 February 2017. It is the duty of the coroner as the public official responsible for the conduct of inquests, whether he is sitting with a jury or without, to ensure that the relevant facts are fully, fairly and fearlessly investigated. Accordingly, any omission by Ms Formby to submit that there was an arguable case of a breach of the substantive positive obligation on the basis that the care home staff and/or the healthcare providers knew or ought to have known of the risk to Jackie’s life is not conclusive. However, those present at the inquest are best placed to understand the dynamics of the evidence and it is relevant that at the end of the evidence an arguable breach of an Osman duty was not being advanced on behalf of the family. Furthermore, it is relevant that the Coroner who had been immersed in the evidence did not consider that there was an arguable case of a breach of the substantive positive obligation on the basis that the care home staff and/or the healthcare providers knew or ought to have known of the risk to Jackie’s life.

  1. In the event, Jackie was not taken to hospital on 21 February 2017, and she remained in the care home.

  1. On the morning of 22 February 2017, Jackie was found to have soiled her bedclothes. She was reluctant to get out of bed. When she did so she collapsed. Jackie was moved to the bathroom where she collapsed once more and appeared to suffer a seizure. She was unconscious on the bathroom floor. An ambulance was called, and the ambulance crew having concluded that Jackie lacked capacity to make decisions regarding her treatment, decided that it was in her best interests to use light physical restraint to take her to hospital. I would observe that nothing had altered in relation to Jackie’s mental capacity. At all times she lacked capacity to make decisions regarding her treatment. What had changed was that by this time there was actual knowledge of the extreme nature of Jackie’s condition. Jackie was secured to a carry-chair by her legs and was carried to the ambulance.

  1. Jackie arrived at the Blackpool Victoria Teaching Hospital at 9.22 am on 22 February 2017 by which stage it was not possible to save her life. She died in the hospital at 7.40 pm on 22 February 2017 following a cardiac arrest.

  1. Dr S Shaktawat, who conducted an autopsy on 28 February 2017, identified the cause of Jackie’s death as being “1a. Perforated gastric ulcer with peritonitis. 2. Pneumonia.” The ulcer which extended to 3 cm had perforated Jackie’s stomach and resulted in peritonitis. According to the evidence at the inquest, it had developed over several months.

The issue at the inquest

  1. At the inquest into Jackie’s death, if there was an arguable case that there was a breach of a substantive positive obligation under article 2 of the Convention then, provided the case fell within the enhanced procedural obligation (see para 245 below), rather than the redress procedural obligation (see para 248 below), the Coroner was required to request the jury to return an expanded verdict in accordance with section 5(2) of the 2009 Act.

  1. On 29 June 2018, the Coroner gave his verdict decision that article 2 did not require an expanded verdict. Whether the verdict decision was correct is under challenge in these proceedings.

Article 2: outline of the applicable legal framework

  1. Article 2 provides:

    1. Everyone's right to life shall be protected by law. No one shall be deprived of his life intentionally save in the execution of a sentence of a court following his conviction of a crime for which this penalty is provided by law.

    1. Deprivation of life shall not be regarded as inflicted in contravention of this article when it results from the use of force which is no more than absolutely necessary:

    1. in defence of any person from unlawful violence;

    1. in order to effect a lawful arrest or to prevent the escape of a person lawfully detained;

    1. in action lawfully taken for the purpose of quelling a riot or insurrection.”

  1. Article 2 imposes a negative duty to refrain from taking life, save in the exceptional circumstances envisaged by article 2.2. Article 2 also imposes positive obligations on the state. I agree with Lord Sales in relation to the typical nomenclature adopted in respect of those positive obligations.

  1. There are substantive positive obligations on a state to take steps to protect life and there are procedural positive obligations on a state regarding investigation of, and the opportunity to call state authorities to account for, potential breaches of substantive positive obligations.

  1. I agree that the substantive positive obligations on a state to take steps to protect life are typically analysed as being of two types. First, a systems duty consisting of an obligation on the state to have appropriate legal regimes and administrative systems in place to provide general protection for the lives of citizens and persons in its territory. Second, an operational duty consisting of an obligation on the state to take preventative operational steps to protect a specific person or persons when the state knew or ought to have known of a risk to life; see Osman v United Kingdom 29 EHRR 245 and Rabone v Pennine Care NHS Trust [2021] 2 AC 72.

  1. Lord Sales states that such an operational duty arises when the state is “on notice that [the specific person or persons] are subject to a risk to life of a particularly clear and pressing kind”(para 10 above). However, the criterion is a “real and immediate” risk to life. A real risk is one that is objectively verified and an immediate risk is one that is present and continuing; see In re Officer L [2007] 1 WLR 2135, at para 20. Lord Carswell in Re Officer L added that:

    “It is in my opinion clear that the criterion is and should be one that is not readily satisfied: in other words the threshold is high.”

    “I read his words as amounting to no more than a comment on the nature of the test which the Strasbourg court has laid down, not as a qualification or a gloss upon it. We are fortunate that, in the case of this vitally important Convention right, the Strasbourg court has expressed itself in such clear terms. It has provided us with an objective test which requires no further explanation. The question in each case will be whether on the facts it has been satisfied.”

Those additional words were considered in Van Colle v Chief Constable of Hertfordshire Police [2009] AC 225. Lord Hope in referring to Lord Carswell’s words stated at para 66:

Lord Bingham also referred to Lord Carswell’s words at para 30. Lord Bingham stated that “… the test formulated by the Strasbourg court in Osman and cited on many occasions since is clear and calls for no judicial exegesis”. I would caution that there should not be a domestic gloss on the Strasbourg criterion by using the phrase of “a particularly clear and pressing kind” in relation to “real and immediate risk”.

  1. I agree that the procedural positive obligations on a state regarding investigation of, and the opportunity to call state authorities to account for, potential breaches of substantive positive obligations varies according to context.

  1. I also agree that for present purposes there are three levels of the graduated procedural positive obligation.

  1. First, the basic procedural obligation under which state authorities should take some steps to establish whether the cause of death is from natural causes rather than, say as a result of criminal means such as violence or other foul play.

  1. Second, the enhanced procedural obligation. Lord Sales states that under this enhanced procedural obligation “a state may be required to take the initiative to take further steps to investigate possible breaches of the substantive obligations imposed by article 2 …” (para 15 above). I consider that if the enhanced procedural obligation applies then the state is required to take the initiative. The state authorities must act of their own motion once the matter has come to their attention. They cannot, for instance, leave it to the initiative of the next of kin.

  1. The enhanced procedural obligation automatically applies in certain categories of cases, such as where state agents have used lethal force, see McCann v United Kingdom 21 EHRR 97. It also applies in circumstances where there is an arguable breach of the state’s substantive positive obligations which are for present purposes the systems duty and/or the operational duty.

  1. Until an inquest is underway, and the real issues can be identified, there may be no proper way in which an assessment can be made as to whether there is an arguable breach of the state’s substantive positive obligations so as to engage the enhanced procedural obligation. Accordingly, the Coroner will properly, as in this case, proceed on the basis that there is a need for an expanded verdict and then review the position at the end of the evidence, by which stage most if not all of the additional costs of the inquest have been incurred. Therefore, it is apparent that it will rarely be the case that the positive enhanced procedural obligation will impose an unreasonable or disproportionate burden on the state in relation to the conduct of an inquest.

  1. Third, the redress procedural obligation which has been typically applied in cases involving possible breaches of article 2 in the context of provision of medical services, where it is alleged that there has been negligence by medical practitioners. In such circumstances, even though there is a possibility that the substantive obligations in article 2 have been breached, the procedural obligation is limited to a combination of the basic procedural obligation and the redress procedural obligation. As Lord Sales states, those procedural obligations will be “satisfied by a combination of the holding of an inquest to determine the cause of death, without any requirement of an expanded verdict, and the availability of a civil claim for damages for negligence” (para 20 above).

Application of the legal principles to the facts of this appeal

  1. Lord Sales has carefully and exhaustively analysed whether there was an arguable breach of the systems duty or the operational duty on the part of either the care home or the healthcare providers. I agree with his conclusions.

Conclusion

  1. I would dismiss the appeal.